13F

Investor

Riverview Capital Advisers, LLC

CIK 0001962933 · filed 2026-05-14 · SEC filing

13F book

$299.7M

Positions

86

5 new · 10 sold

Largest name

8.1%

Berkshire Hathaway Inc Del

Est. mark

−$16.2M

Price effect on 81 names still held. Flow −$14.6M.
NameTickerSharesValueWeightEst. markChange
Berkshire Hathaway Inc Del50.7K$24.3M8.1%−$1.18MAdded−$1.02M
Amazon Com IncAMZN113.2K$23.6M7.9%−$2.55MAdded−$2.53M
Apple Inc.AAPL85.4K$21.7M7.2%−$1.54MCut−$2.55M
Vanguard Index Fds57K$16.4M5.5%−$166.2KAdded$521.1K
Tesla, Inc.TSLA29.3K$10.9M3.6%−$2.28MHeld
Fundvantage Tr500.8K$10.2M3.4%−$2.15MHeld
Vanguard Growth Etf21.7K$9.48M3.2%−$1.01MAdded−$208.5K
Microsoft CorpMSFT23.4K$8.67M2.9%−$2.66MCut−$2.68M
Vanguard Specialized Funds37.4K$8.04M2.7%−$146.9KAdded$1.2M
Markel Group Inc.MKL4.2K$8.03M2.7%−$983.8KAdded−$945.5K
Salesforce, Inc.CRM42.1K$7.85M2.6%New
Micron Technology IncMU23.2K$7.82M2.6%$1.21MCut$1.11M
Park Hotels & Resorts Inc.PK665.7K$7.01M2.3%$46.6KCut−$81K
Walmart Inc.WMT55K$6.84M2.3%$686.4KAdded$893.9K
BXP, Inc.BXP130.1K$6.75M2.3%−$2.03MCut−$2.12M
Capital Group Dividend Value158K$6.72M2.2%−$60.3KAdded$4.33M
Capital Group Intl Focus Eqt225.6K$6.65M2.2%−$13KAdded$251.1K
CARRIER GLOBAL CorpCARR109.1K$6.15M2.1%$378.7KCut$236.9K
Kinder Morgan Inc Del183.2K$6.14M2.0%$1.1MAdded$1.13M
Vanguard Index Fds18.8K$6.03M2.0%−$258.3KAdded$40.1K
Ryder Sys Inc29.2K$5.98M2.0%$386.4KAdded$431.2K
Simon Ppty Group Inc New29.5K$5.51M1.8%$41.9KCut−$4.12M
United Rentals, Inc.URI7.02K$5.12M1.7%−$567KCut−$668.2K
Home Depot, Inc.HD15.1K$4.98M1.7%−$230KCut−$261.3K
Ishares Tr22.4K$4.78M1.6%$74.2KAdded$88.6K
Alphabet Inc16.3K$4.7M1.6%−$399.2KAdded−$214.9K
Eversource EnergyES65.3K$4.52M1.5%$127.3KCut$108.1K
ServiceNow, Inc.NOW38.6K$4.03M1.3%−$87.3KAdded$3.76M
Nvidia CorpNVDA22.9K$3.99M1.3%−$276.6KCut−$278.4K
Enbridge Inc70.8K$3.83M1.3%$446.7KCut$383.4K
Visa Inc.V10.8K$3.26M1.1%−$504.3KAdded−$391.6K
Vanguard Scottsdale Fds39.8K$3.16M1.1%−$5.24KAdded$2.25M
Aflac IncAFL20K$2.19M0.7%−$11.1KAdded$605
Otis Worldwide CorpOTIS25.7K$1.98M0.7%New
Labcorp Holdings Inc.LH6.92K$1.85M0.6%$110.1KAdded$114.6K
Coca Cola CoKO22.4K$1.7M0.6%$137.4KCut$125.2K
Starwood Ppty Tr Inc98K$1.69M0.6%−$77.4KCut−$275.3K
Tempus AI, Inc.TEM36.4K$1.65M0.5%−$504KHeld
Netflix IncNFLX16.7K$1.61M0.5%$39.9KAdded$43.7K
Avalonbay Cmntys Inc9.23K$1.51M0.5%−$165.8KCut−$1.52M
Ishares Tr29.1K$1.36M0.5%−$188.3KAdded−$47.8K
Ishares Tr3.13K$1.33M0.4%−$146.8KCut−$157.7K
Goldman Sachs Group Inc1.48K$1.25M0.4%−$48.5KAdded−$41.7K
Ishares Tr9.83K$1.13M0.4%$0Held
Exxon Mobil Corp6.37K$1.08M0.4%$312.3KAdded$317.6K
Meta Platforms, Inc.META1.51K$862.2K0.3%−$121.1KAdded−$46.8K
Jpmorgan Chase & Co.2.7K$793.3K0.3%−$75.7KCut−$76.3K
Cava Group, Inc.CAVA9.27K$750.1K0.3%$205.9KHeld
Siriusxm Holdings Inc31.8K$732.8K0.2%$90.7KAdded$145.2K
Johnson & JohnsonJNJ2.95K$721.1K0.2%$110.6KCut−$763K
Koninklijke Philips N V24.5K$671.4K0.2%$7.84KHeld
Spdr S&P 500 Etf Tr989$643.1K0.2%−$30.2KAdded−$6.17K
Ishares Bitcoin Trust EtfIBIT16.2K$621.1K0.2%−$69.2KAdded$315K
Vanguard World Fd886$618.5K0.2%−$49.7KAdded−$49K
Vanguard World Fd1.73K$541.4K0.2%$24KCut−$1.3M
Blackstone Inc.BX4.29K$493.5K0.2%−$167.9KCut−$177.8K
Eli Lilly & CoLLY509$468.2K0.2%−$78.8KHeld
Pepsico IncPEP3K$466.6K0.2%$35.3KCut$24.4K
Stryker CorpSYK1.37K$451.2K0.2%−$31.3KAdded−$30.3K
Oracle Corp2.97K$437.2K0.1%−$140.2KAdded−$134.5K
Ishares Tr3.51K$436.4K0.1%New
Vanguard Index Fds1.65K$432.7K0.1%$6.56KCut−$12.9M
Vanguard Index Fds714$426.9K0.1%−$20.9KAdded−$19.7K
Lithium Argentina AgLAR60.8K$406.1K0.1%$66.9KHeld
Schwab Strategic Tr15.4K$395.2K0.1%−$19.6KCut−$74.9K
Select Sector Spdr Tr7.61K$375.6K0.1%−$41KAdded−$40K
Mastercard IncMA744$371.8K0.1%−$52.4KAdded−$48.9K
Wisdomtree Tr8.86K$361.3K0.1%−$48.6KHeld
Grayscale Bitcoin Trust EtfGBTC6.37K$336.2K0.1%−$99.4KHeld
Boeing Co1.68K$334K0.1%New
Vanguard Intl Equity Index F5.85K$316K0.1%$1.7KHeld
Shopify Inc.SHOP2.62K$311.1K0.1%−$96.9KAdded−$57.2K
Ishares Tr397$259.4K0.1%−$12.5KAdded−$11.9K
Imunon, Inc.IMNN34.4K$247.8K0.1%$0Held
Costar Group, Inc.CSGP5.97K$240.9K0.1%−$82.4KAdded$35K
Strategy Inc1.91K$238.1K0.1%−$51.8KHeld
Ishares Tr1.53K$231.1K0.1%$15KAdded$25.7K
Draftkings Inc New10.4K$224.4K0.1%−$133.3KCut−$192K
Bank America Corp4.42K$215.7K0.1%−$27.7KCut−$36.6K
International Business Machs867$210.1K0.1%New
Spotify Technology S.A.SPOT425$206.1K0.1%−$40.7KHeld
Sweetgreen, Inc.SG34.2K$177.5K0.1%−$36.4KAdded$20.7K
ACV Auctions Inc.ACVA16.1K$68.1K0.0%−$60.7KHeld
indie Semiconductor, Inc.INDI16.3K$52.6K0.0%−$5.07KHeld
Cellectar Biosciences, Inc.CLRB10.4K$50.1K0.0%$0Held
Sera Prognostics, Inc.SERA12.7K$25.7K0.0%−$11.7KHeld

Positions as of Q1 2026. 13F filings arrive up to 45 days after quarter-end and omit shorts. Values are quarter-end marks, as filed. Estimated mark is the price effect on shares still held — not realized P&L or investment advice.